11/11/2024  7:12:34 PM Chg. +0.28 Volume Bid8:38:00 PM Ask8:38:00 PM Market Capitalization Dividend Y. P/E Ratio
14.94EUR +1.91% 1,446
Turnover: 21,521.26
14.82Bid Size: 210 14.96Ask Size: 210 6.66 bill.EUR 3.52% 7.21

Assets

2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
2023
IFRS
in mill. EUR
Property and Equipment
  110.9670   168.9050   233.8000
Intangible Assets
  2.1110   3.4920   176.5000
Long-Term Investments
  8,349.3100   11,317.5280   13,399.2000
Fixed Assets
  8,634.8740   11,580.6590   13,859.1000
Inventories
  -   -   -
Accounts Receivable
  144.0820   235.5840   266.6000
Cash and Cash Equivalents
  892.8160   660.6310   690.6000
Current Assets
  1,051.7710   948.0070   1,014.1000
Total Assets
  9,686.6450   12,528.6660   14,873.2000

 

Liabilities

2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
2023
IFRS
in mill. EUR
Accounts Payable
  237.1480   320.9170   514.4000
Long-term debt
  1,110.4710   1,868.1290   3,328.2000
Liabilities to Banks
  -   -   -
Provisions
  -   -   -
Liabilities
  5,579.8150   7,244.1490   8,706.3000
Share Capital
  -   -   -
Total Equity
  4,106.8300   5,284.5170   6,166.9000
Minority Interests
  -   -   -
Total liabilities equity
  -   12,528.6660   14,873.2000

 

Income Statement

2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
2023
IFRS
in mill. EUR
Revenues
  407.3660   589.1130   543.2000
Depreciation (total)
  -   -   -
Operating Result
  1,376.8080   1,083.8850   1,323.8000
Interest Income
  1,922.1170   -80.7090   -111.8000
Income Before Taxes
  -   -   -
Income Taxes
  250.7540   190.7430   289.5000
Minority Interests Profit
  -   -   -
Net Income
  1,025.9360   796.5250   907.2000

 

Per Share

2021
IFRS
in EUR
2022
IFRS
in EUR
2023
IFRS
in EUR
Earnings per Share
  2.6800   1.8300   2.0700
Dividend per Share
  0.1700   0.4500   0.5250

 

Cash Flow

2021
IFRS
in mill. EUR
2022
IFRS
in mill. EUR
2023
IFRS
in mill. EUR
Cash Flow from Operating Activities
  139.0580   300.3150   318.4000
Cash Flow from Investing Activities
  -1,435.2470   -1,364.7960   -1,176.7000
Cash Flow from Financing
  1,768.6500   837.1830   886.1000
Decrease / Increase in Cash
  -   -   -
Employees
  463   634   730